Heimstaden Haflingervej ApS — Credit Rating and Financial Key Figures

CVR number: 39118750
Sankt Petri Passage 5, 1165 København K
adm@heimstaden.dk
www.Heimstaden.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 463.112 895.313 126.052 672.863 602.89
Reduction in value of non-current assets5 561.45- 774.33-1 277.23-6 060.023 298.94
EBIT8 024.562 120.981 848.82-3 387.166 901.83
Other financial income12.1430.86218.29
Other financial expenses- 700.29- 435.27- 521.77- 716.83-2 312.50
Pre-tax profit7 324.271 697.861 357.91-4 103.994 807.62
Income taxes-1 612.23157.05- 829.32902.88-1 057.68
Net earnings5 712.041 854.91528.59-3 201.113 749.94

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings75 434.3674 739.0373 579.7767 556.2470 905.12
Tangible assets total75 434.3674 739.0373 579.7767 556.2470 905.12
Investments total
Long term receivables total
Inventories total
Current trade debtors29.2098.40157.78
Current amounts owed by group member comp.640.29639.431 837.522 940.25
Prepayments and accrued income131.81
Current other receivables7.94
Current deferred tax assets309.52
Short term receivables total449.28640.29668.631 935.923 098.03
Cash and bank deposits687.45
Cash and cash equivalents687.45
Balance sheet total (assets)76 571.0875 379.3274 248.4069 492.1674 003.15

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital52.0052.0052.0052.0052.00
Share premium account4 198.00
Other reserves-4 198.00
Retained earnings7 581.4113 293.4515 148.3619 176.9515 975.84
Profit of the financial year5 712.041 854.91528.59-3 201.113 749.94
Shareholders equity total13 345.4515 200.3615 728.9516 027.8419 777.78
Provisions2 876.752 719.703 549.022 399.113 102.79
Capital loans7 500.00
Non-current loans from credit institutions50 698.4849 810.6049 228.8048 619.9847 942.23
Non-current other liabilities1 087.801 152.331 130.111 221.601 360.21
Non-current liabilities total59 286.2850 962.9250 358.9049 841.5749 302.44
Current loans from credit institutions743.62750.65678.99672.71719.57
Advances received248.0581.2390.99
Current trade creditors300.9278.13261.26124.27238.02
Current owed to group member5 400.883 465.78
Short-term deferred tax liabilities247.03601.03
Other non-interest bearing current liabilities18.0618.63205.5098.40170.53
Current liabilities total1 062.606 496.344 611.531 223.641 820.14
Balance sheet total (liabilities)76 571.0875 379.3274 248.4069 492.1674 003.15
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